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You hold a $1.3 million portfolio made of the following stocks. Stock A Market Value .2 million and Beta

You hold a $1.3 million portfolio made of the following stocks. Stock A Market Value .2 million and Beta 1.5, Stock B Market value .5 million and Beta 1.2, Stock C Market Value .6 million Beta .8, What is the beta of the portfolio and how did you get the answer?

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